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Tiger Global Management 13F holdings, Q2 2006

Holdings as of June 30, 2006 · filings on SEC EDGAR · latest filing →

Tiger Global Management disclosed 38 US equity positions worth $796.8m in its Q2 2006 13F filing. The largest position was D AMERICAN TOWER CORP at 14.3% of the reported book, followed by D NUTRI SYS INC NEW and D J2 GLOBAL COMMUNICATIONS INC. Against the Q1 2006 filing, it opened 14 new positions, added to 12 and reduced 5 among the top 38 holdings.

← Q1 2006 · Q3 2006 →

What did Tiger Global Management own in Q2 2006? Top 38 positions

#StockSectorWeightValueSharesΔ sharesvs Q1 2006
1 D AMERICAN TOWER CORP 14.3%$113.6m3,650,000 -3% reduced
2 D NUTRI SYS INC NEW 13.7%$109.0m1,755,000 56% added
3 D J2 GLOBAL COMMUNICATIONS INC 7.3%$57.8m1,851,864 100% added
4 D COMCAST CORP NEW 6.2%$49.2m1,500,000 566% added
5 D ECOLLEGE.COM 5.3%$42.5m2,008,306 0% held
6 D PALM INC 5.1%$40.5m2,516,000 0% held
7 CMCSA D COMCAST CORP NEW Communication Services 3.5%$28.2m860,000 new
8 D SPRINT NEXTEL CORP 3.2%$25.6m1,280,000 2% added
9 CROX D CROCS INC Consumer Cyclical 2.8%$22.2m882,300 87% added
10 D BLUE NILE INC 2.7%$21.6m671,136 new
11 UNH D UNITEDHEALTH GROUP INC Healthcare 2.4%$19.0m425,000 new
12 D KONINKLIJKE PHILIPS ELECTRS NY REG SH NEW 2.3%$18.0m579,600 104% added
13 SSD D SIMPSON MANUFACTURING CO INC Basic Materials 2.3%$18.0m500,000 new
14 LZB D LA Z BOY INC Consumer Cyclical 2.2%$17.6m1,255,000 28% added
15 D AMERICAN SCIENCE & ENGR INC 2.2%$17.4m300,000 0% held
16 D CTC MEDIA INC 1.8%$14.1m774,252 new
17 D CENTRAL EUROPEAN MEDIA 1.7%$13.9m220,000 -56% reduced
18 SMSI D SMITH MICRO SOFTWARE INC 1.6%$12.8m800,000 new
19 D LAMSON & SESSIONS CO 1.6%$12.8m450,000 new
20 D PW EAGLE INC 1.5%$11.8m390,000 new
21 IMAX D Imax Corp Communication Services 1.5%$11.7m1,280,000 0% held
22 D TRUE RELIGION APPAREL INC 1.5%$11.7m660,000 676% added
23 D IRSA INVERSIONES Y REP SA GLOBL DEP RCPT 1.4%$10.9m972,700 -7% reduced
24 D VERTRUE INC 1.4%$10.8m250,000 new
25 MDRX D ALLSCRIPTS HEALTHCARE SOLUTI Healthcare 1.3%$10.2m580,000 0% held
26 D COMTECH GROUP INC 1.3%$10.0m900,000 new
27 D TASER INTL INC 1.2%$9.7m1,220,000 new
28 SGI D TEMPUR PEDIC INTL INC Consumer Cyclical 1.1%$9.0m665,100 -20% reduced
29 D BASIN WTR INC 1.1%$8.6m860,000 new
30 D PARLUX FRAGNANCES INC 1.1%$8.4m870,000 135% added
31 D COVANTA HLDG CORP 1.0%$8.4m473,800 new
32 D ORCKIT COMMUNICATIONS INC 0.8%$6.6m650,000 32% added
33 D TIVO INC 0.7%$5.7m800,000 0% held
34 D TELKONET INC 0.7%$5.7m1,820,500 8% added
35 ZIXI D ZIX CORP 0.2%$1.6m1,925,350 0% held
36 D IONATRON INC 0.2%$1.6m252,500 29% added
37 D FORTUNET INC 0.1%$567.0k35,000 new
38 Omitted Records 0.0%$19.0k0 -100% reduced

Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.